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NEW QUESTION: 1
Which three contexts can be used as matching conditions in a source NAT configuration? (Choose three.)
A. routing-instance
B. rule-set
C. zone
D. interface
E. policy
Answer: A,C,D
NEW QUESTION: 2
Answer:
Explanation:
Explanation
Box 1: No
Disabled is the default state for a new user not enrolled in Azure MFA.
Box 2: Yes
Enforced: The user has been enrolled and has completed the registration process for Azure MFA.
Web browser apps require login in this case.
Box 3: Yes
Enabled: The user has been enrolled in Azure MFA, but has not registered. They receive a prompt to register the next time they sign in.
Web browser apps require login in this case.
References:
https://docs.microsoft.com/en-us/azure/active-directory/authentication/howto-mfa-userstates
NEW QUESTION: 3
IMULATION
Define User Adoption
Answer:
Explanation:
See the solution below
Explanation/Reference:
User adoption means gaining the trust of users to use the system on a regular basis as intended.
Explanation/Reference:
They will feel that they want to use the system instead of being forced to use it.
NEW QUESTION: 4
A company uses a bank to process its weekly payroll. Time sheets and payroll adjustment forms (e.g., hourly rate changes, terminations) are completed and delivered to the bank, which prepares checks (cheques) and reports for distribution. To BEST ensure payroll data accuracy:
A. gross payroll should be recalculated manually.
B. checks (cheques) should be compared to input forms.
C. payroll reports should be compared to input forms.
D. checks (cheques) should be reconciled with output reports.
Answer: C
Explanation:
The best way to confirm data accuracy, when input is provided by the company and output is generated by the bank, is to verify the data input (input forms) with the results of the payroll reports. Hence, comparing payroll reports with input forms isthe best mechanism of verifying data accuracy. Recalculating gross payroll manually would only verify whether the processing is correct and not the data accuracy of inputs. Comparing checks ( cheques ) to input forms is not feasible as checks ( cheques )have the processed information and input forms have the input datA . Reconciling checks ( cheques ) with output reports only confirms that checks ( cheques ) have been issued as per output reports.